Andmed seisuga: 27.11.2024 21:28 (GMT+2)

Norma: Consolidated cash flows as of H1 2001

26.07.2001, Norma, TLN
NORMA
CASH FLOW STATEMENT

CONSOLIDATED CASH FLOWS AS OF H1 2001

EEK in thousands, unaudited

Operating activities 01.01.01- 01.01.00-
30.06.01 30.06.00

Operating profit 82 522 83 259
Profit from sale of property, plant and
equipment -458 -222
Deprecation 16 521 16 584
Income from subsidiary companies 1 094 0
Property, plant and equipment write-off 196 44
Property, plant and equipment discount 29 0
Increase (-), decrease (+) in current
assets -63 695 6 193
Increase (+), decrease (-) in current
liabilities 28 694 853
Interest received and other financial
income 6 263 2 509
Taxes paid -2 232 -8 959
Interest and other financial expenses -6 -1 725
paid
68 928 98 536
Investing activities
Property, plant and equipment sold 691 3 701
Property, plant and equipment acquired -36 711 -12 818
Subsidiary companies sold 5 000 0
Loans issued -46 -79
Loans repaid 498 648
-30 568 -8 548
Financing activities
Loans repaid 0 -13 336
Dividends paid -66 000 -39 600
-66 000 -52 936

Net cash flow -27 640 37 052

Movement in cash and cash equivalents
Cash and cash equivalents at the
beginning of the year: 146 937 149 335
Net cash flow -27 640 37 052
Foreign exchange gain -148 395
Cash and cash equivalents at the end of
year: 119 149 186 782

incl. cash and bank accounts 26 694 101 130
marketable securities 92 455 85 652


Peep Siimon
Chairman of the Board
+372 6500 442

Kaubeldavad väärtpaberid

Aktsiad
Võlakirjad
Fondid

Turuinfo

Statistika
Kauplemine
Indeksid
Oksjonid

Turureeglid

Reeglid ja hinnad
Järelevalve

Alusta siit

Ettevõttele
Investorile
Liikmetele
First North turu nõustajatele

Uudised

Nasdaqi uudised
Ettevõtete uudised
Kalender

Meist

Ettevõttest
Kontorid